000090 天健集团
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资186,4901.19%184,293144,342115,14877,782
投资性房地产3,142,168-1.50%3,190,1253,122,4603,056,9682,431,005
固定资产380,040-11.13%427,629487,971503,084484,314
在建工程28,748101.06%14,29834,95612,98014,363
无形资产1,352,151-5.16%1,425,6501,587,1421,106,543586,184
商誉50,8100.00%50,81019,45116,49016,490
其他非流动资产5,688,834-3.85%5,916,6753,216,5863,989,9142,028,460
10,829,240-3.39%11,209,4798,612,9078,801,1285,638,598

流动资产
货币资金9,357,026-12.70%10,718,2749,217,7168,412,2668,630,295
应收账款3,227,95512.15%2,878,3563,176,3123,368,1922,705,493
存货27,489,6083.94%26,446,60332,828,47428,505,11926,494,249
其他流动资产17,897,325-1.79%18,223,68515,463,21510,737,3115,529,997
57,971,913-0.51%58,266,91860,685,71751,022,88943,360,035

流动负债
短期借款1,229,062-22.45%1,584,9414,020,6311,882,1285,581,472
应付票据1,095,08119.42%916,973916,979313,6431,747
应付帐款15,234,280-18.31%18,649,98517,865,27713,814,73110,645,954
其他流动负债25,687,3925.44%24,361,85620,289,78421,099,60612,660,306
43,245,815-4.98%45,513,75543,092,67137,110,10928,889,479
流动资产净值14,726,09815.47%12,753,16317,593,04713,912,78014,470,556
资产总额减流动负债25,555,3386.65%23,962,64126,205,95322,713,90820,109,155

非流动负债
长期借款8,646,45727.05%6,805,77110,061,1679,307,9958,316,657
应付债券1,458,249-2.18%1,490,7001,499,60000
其他非流动负债558,424-0.50%561,203557,282579,392755,209
10,663,13020.38%8,857,67412,118,0499,887,3869,071,866

总权益
    实收股本1,868,5450.00%1,868,5451,868,5451,868,5451,868,545
    储备项目12,528,288-1.41%12,707,55711,845,38810,836,8289,087,693
股东权益14,396,834-1.23%14,576,10313,713,93312,705,37410,956,239
非控股权益495,374-6.33%528,864373,971121,14881,050